1. Introduction
Mitigation of seismic risk basically depends on the reliability of seismic hazard analysis. When dealing with induced seismicity, however, standard approaches, such as Probabilistic Seismic Hazard Analysis (PSHA) e.g., [
1,
2] cannot be applied as they have been originally conceived. They need to be modified to consider the specific features of the induced seismicity e.g., [
3,
4,
5]. The main differences are related to both temporal and spatial distribution of the induced seismicity compared to natural seismicity. Indeed, induced seismicity tends to cluster in limited volumes near the wells where field operations (e.g., fluids injection, extraction, fracking, etc.) are performed. From a temporal point of view, earthquake occurrence, in some cases, may be not stationary over small time-windows such as the extent of the geoengineering project (e.g., [
5,
6,
7,
8]). Hence, the homogeneous Poisson recurrence model can be used under some assumptions that can impact the final hazard estimates. In the context of the induced seismicity, non-Poisson models have been proposed, for example, by Langenbruch et al. [
6] who considered the generalized Poisson model in which the process intensity (i.e., earthquakes frequency) is not constant and can vary with time. Bachmann et al. [
7] used the Reasenberg and Jones Epidemic Type Aftershock Sequence (ETAS) models e.g., [
9]. Baker and Gupta [
10] used a gamma distribution in a Bayesian updating approach for seismic hazard. Broccardo et al. [
11] integrated the approach proposed by Mignan et al. [
12] in a hierarchical Bayesian modelling, which relates the seismicity rate of a non-homogeneous Poisson process to the injection flowrate.
Furthermore, the magnitude of induced events generally ranges in tighter intervals with respect to natural seismicity. In this regard, one of the most challenging questions is the identification of the expected maximum magnitude to be used in the hazard computation e.g., [
13,
14,
15].
Finally, as noted by Van Eck et al. [
16], due to the extent of the catalogues and in general of the duration of Enhanced Geothermal Systems (EGSs) operations the exposure and return periods to be considered have to be different from those used in standard PSHA.
In the present study we propose a technique aimed at facing the above-mentioned modifications of the standard PSHA. Following the approach proposed by Convertito and Zollo [
17] and modified by Convertito et al. [
5], we use data—events’ location and peak-ground velocities (
PGVs)—collected during a specific phase of a project, to define a proper seismogenic volume, the maximum magnitude and, through the analysis of the inter-arrival times distribution, the recurrence model. This latter can then be used to perform a time-independent or a time-dependent seismic hazard analysis by considering specific probability density functions to compute the seismicity rate. The study also implements the ETAS model to obtain time-dependent rates of exceedance of
PGV values and compares the results both to the time-dependent and time-independent seismic hazard assessments.
With the aim of testing if and how the proposed approach predicts what should be observed as a consequence of the current field operations, we compare the estimated
PGV values for selected probabilities of exceedance, with the observed values. The procedure has been implemented by using data recorded at St. Gallen (Switzerland) deep geothermal field during fluid injection. The network managed by Swiss Seismological Service (SED; [
18,
19]) originally consisted of one short period borehole sensor at 205 m depth and five additional broadband surface stations operated within a 12 km radius around the borehole. In July 2103 the network was additionally densified with seven short period surface stations [
20]. Overall, the data analyzed in the present study were recorded by 10 stations (
Figure 1).
The target of the project was a carbonate aquifer at a depth of 4 km b.s.l. to produce electricity and heating. As described by Moeck et al. [
21] and Zbinden et al. [
22], the project started with a stimulation phase on 14 July 2013. Water was injected at about 3.6 km depth b.s.l, at a rate of 53 L/s for a total amount of 175 m
3 in 2 hrs. During the stimulation phase only microseismicity with magnitude lower than 0.2 was induced. From 14 July 2013 through 19 July 2013 acid stimulations were performed involving about 290 m
3 of fluids, which broke seal to gas reservoir and caused a gas kick (95% CH
4). Afterwards, well control operations were done by injecting ~700 m
3 of water and heavier liquids, which probably induced the largest event in the sequence with
ML 3.5. Well control operations ended on 24 July 2013. Despite this adverse consequence, in August 2013 a decision was made to continue the field operations with a high feeling of solidarity from the public. In September 2013 fishing operations (that is removing lost or stuck objects from the wellbore) were done together with a cleaning of the well [
21]. As reported by Diehl et al. [
20], overall, the induced seismic sequence counted 346 locatable events with magnitude in the range (−1.2, 3.5) and depths ranging between 4.4 and 4.7 km (
Figure 2).
Similar to almost all the statistical approaches [
5,
7], our approach does not directly deal with the details of the physics of the ongoing processes that are inducing earthquakes. It focuses on the possibility of predicting the expected ground-motion levels in proper calibrated future time windows. Specifically, for distinct stages of the project, we compare observed
PGVs at two sites with predictions obtained selecting the best fitting probability density function on inter-arrival times with respect to the standard Poisson process. Moreover, we propose not only to employ specific recurrence models but also to use updated ground motion prediction equations (GMPEs) when new and more robust data are being collected [
23,
24,
25]. This is a critical issue, indeed, for several aspects: (i) the range of magnitude of induced seismicity, in general, is not covered by GMPEs developed by using strong-motion data; (ii) empirical ground motion relations may not work well when source-to-site distances are small (aka. the “near source” issue); (iii) the fact that field operations may produce time dependent variations in the propagation medium and seismic source properties that can modify the observed peak-ground motion values and should be thus included in the GMPEs e.g., [
25]. Finally, taking into account for the timescale is particularly important since, as noted by Baish et al. [
26], the most hazardous events frequently occur post-injection. Thus, decisions on reducing/stopping or continuing field operations should not be based solely on what is currently observed but also on what is expected.
2. Method
In order to estimate seismic hazard for induced earthquakes, by considering their main features, that is, relative shallow depths, small magnitude, a dependence on the field operations, and eventually non-Poisson recurrence time, we implement some modifications to the standard hazard integral formulation. For a point source, the hazard integral leads to the frequency of exceeding a given reference value of the selected ground motion parameter and its general formulation is as it follows (e.g., [
1,
2]):
where
I[.] is an indicator function, which equals 1 if
A is larger than a given reference value
for a given distance
r, a given magnitude
m, and a given
ε. As for distance and magnitude, a minimum and a maximum value must be defined based on a-priori information (e.g., the minimum damaging magnitude value, the maximum expected magnitude value, the relative source-to-site distance). The variable
ε represents the residual deviation of the
A parameter related to the median value provided by the selected GMPE e.g., [
27,
28]. By definition it corresponds to the number of logarithmic standard deviations by which the the ground motion deviates from the mean on a logscale. The associated probability density function (PDF),
f(
), is assumed to be the normal PDF e.g., [
27].
The PDF for m, f(m), depends on the selected earthquake recurrence model whereas the PDF for the distance r, f(r), depends on the source geometry and position of site. The parameter is the mean annual rate of occurrence of the earthquakes having magnitude larger than the cut-off magnitude Mct for each selected source zone and is estimated by analysing the earthquake catalogues or by adopting spatio-temporal seismicity models like ETAS.
Assuming that, for a given site, the event
A >
is a selective process and that seismicity is stationary (or piece-wise stationary for non-homogenous Poisson processes) with rate
, for a given time-interval
t, Equation (1) allows to compute the probability of exceedance
P as:
where
N the number of the sources that contribute to the hazard. When the analysis is done for a set of sites in an area of interest for selected values of the exposure time and the probability of exceedance, a hazard map can be obtained [
29,
30].
In this study, we propose a specific formulation for the PDF of distance, and a technique to estimate the expected maximum magnitude and to compute the mean annual rate of occurrence. In particular, we identify a proper recurrence model from the analysis of the inter-arrival times distribution and adaptively fit a spatio-temporal ETAS model (e.g., [
31,
32,
33]) to the catalogue of induced earthquakes.
Moreover, to compute the indicator function in Equation (1), as found by De Matteis and Convertito [
23] and Convertito et al. [
25], we assume that also GMPEs should be recalibrated to account for the medium propagation and source variations produced during the field operations. To this aim, for each phase of the geo-energy project, we infer a specific GMPE. Next, through an F-test, we verify if it can be used instead of the previous model or this latter can be still used.
As for the PDF of distance fR(r), we use the hypocentral distance as distance metric and use a volume seismogenic source instead of an aerial source. In particular, we cover the entire volume of interest by a 3D grid and, among all the elementary volumes, we consider only those containing at least one earthquake. A possible advantage is that the seismogenic potential is not fixed a-priori but can evolve during the geo-energy project.
Several techniques are available to estimate the maximum magnitude value to be used for seismic hazard analysis. They can be based on information about current field operations (e.g., injected volumes, shape and extent of the seismicity cloud, etc.) as those proposed by McGarr [
15] or Shapiro et al. [
14] or can be purely statistical approach. The latter approach comprises those proposed by Kijko [
34] and Kijko and Singh [
35].
While the techniques proposed by McGarr [
15] or Shapiro et al. [
14] can be used if the required information are available or planned for the future, those proposed by Kijko [
34] and Kijko and Singh [
35] requires data inversion procedures that cannot be enough stable when applied to events with magnitude in a limited range. In addition to the previous techniques, in the present study, we propose an approach that is based only on the current recorded seismicity and an assumed a-priori value of probability of exceeding some magnitude threshold. We provide an analytic expression that can be used in near real time approaches. In particular, we aim at computing the conditional probability:
which corresponds to the probability that the maximum magnitude,
, is larger than a given value
M* (between
and
given that the current observed largest observed magnitude in the catalogue is
, and that overall the magnitude it is not expected to be larger than
. If one assumes that the PDF on magnitude is a lower truncated exponential PDF, it can be demonstrated that the above conditional probability results in:
Thus, for a set of M* values, it is possible to compute the probability that they are not exceeded. Finally, the value assumed as can be the value that is not exceed at a selected probability value (e.g., 80%, 90%, 95%…).
Lastly, in order to account for non-Poisson nature of the induced seismicity, we propose to analyse the inter-arrival times distribution of the current seismicity, and to test it against several PDFs generally used to model the recurrence models with memory e.g., [
36,
37,
38,
39,
40]. Particularly, in addition to the exponential PDF (corresponding to the Poisson recurrence model) we use the Brownian Passage Time model [
41], the Weibull PDF, the Gamma PDF, and the Gaussian PDF. For each period, given that a sufficient number of events is available, we use the Kolmogorov-Smirnov test to infer the best fit PDF. Once the best PDF has been obtained, following Petersen et al. [
42], we compute the equivalent annual rate
r = −ln(1 −
P)/
t. The parameter
P is the time-dependent probability of interest, which corresponds to the conditional time-dependent probability of having an event in a specified time interval
—corresponding to the selected exposure time
t that can be used in the hazard integral—given that the time
te when the last event has occurred is known.
P is given by:
The equivalent rate
r of exceeding the cut-off magnitude is then substituted by
in Equation (1). Furthermore, a spatio-temporal epidemiological model of the ETAS family (e.g., [
31,
32,
33]) is used to predict the daily rate of exceeding the cut-off magnitude assuming a non-homogenous Poisson process for the inter-arrival times. In such a model, the process is assumed to be piece-wise stationary in the forecasting interval (e.g., here assumed to be 24 h). For a given forecasting interval, the seismicity rate
in Equation (1) can be estimated with expected value of
N(
m|
seq,
Mct). The latter represents the number of events having magnitude equal to or larger than
m,
M ≥
m, conditioned to the sequence of previous events (denoted as
seq including the events up to the starting time of the forecasting interval) and lower cut-off magnitude
Mct. Assuming that the horizontal projection
A of the seismogenic volume is divided into cell units
Ai with centroids (
xi, yi), the expected value E[
N(
m|
seq,
Mct)] can be estimated from the following equation:
where E[
N(
xi,yi,m|
seq,
Mct)] is the expected value of the conditional number of earthquakes with
M ≥
m occurred in the cell unit with centroid (
xi,yi). A robust estimate [
43,
44,
45,
46] of
N(
xi,yi,m|
seq,
Mct) can be obtained by integrating over the domain of the ETAS model parameters:
where
p(
θ |seq,
Mct) is the conditional joint PDF for ETAS model parameters
θ given the
seq and the lower cut-off magnitude
Mct;
Nb(
xi,
yi,
m|
Mct) is the contribution of background seismicity to the number of events with
M ≥
m for the
ith;
is the rate of occurrence of events in the forecasting interval [
Tstart,
Tend] (e.g., one day here) at time
t (since an arbitrary time reference) with the time of origin at
To, having
M ≥
m, and occurring in the cell unit centered at (
xi,
yi)∈A. The rate is conditioned on the observation history
seq, which is the sequence of
No events taken place before the forecasting interval, i.e., in the interval [
To,
Tstart) and the lower cut-off magnitude
Mct. That is,
seq can be expressed as
seq = {(
tj,
xj,
yj,
mj),
To ≤
tj <
Tstart,
mj ≥
Mct,
j = 1:
No}, where
tj is the arrival time of the
j-th event with magnitude
mj and location (
xj,
yj)∈A. The rate
is expressed as a function of vector
θ = [
b,
K,
a,
c,
p,
d,
q, Kt, Kr] of ETAS model parameters:
The integral in Equation (7) over the domain of model parameters
θ is solved numerically by using an adaptive Markov Chain Monte Carlo Simulation (MCMC) procedure (see [
45,
46,
47] for more details).
3. Data Analysis and Results
Data analyzed in this study have been collected by Swiss Seismological Service in 2013 (from 2013-07-14 to 2013-10-22) during the well control measures after drilling and acidizing the GT-1 well (see
Figure 1). The project started on 14 July 2013 with a stimulation phase during which a test of injection with flow rates of up to 53 l/s was performed. The resulting maximum pressure increase was 9.8 MPa e.g., [
21,
22]. For this phase 175 m
3 of water were injected into the reservoir over a 2 h period. On 17 July 2013, an acid stimulation was performed with a 290 m
3 of fluid injected. Well head pressure and injectivity rates during different phases of the project as reported by Moeck et al. [
21] are shown in
Figure 2 together with the temporal evolution of seismicity.
Overall, the induced seismicity counts 346 earthquakes with magnitude (
ML) in the range (−1.2, 3.5) and depth ranging between 4.4 and 4.7 km. Events’ location corresponds to the double-difference location provided by Diehl et al. [
20]. Three component recordings (sampled at 200 Hz) are available at 10 stations (
Figure 1).
Based on the temporal evolution of the seismicity, we divide the whole catalogue in six different periods or phases whose duration is listed in
Table 1. The selection criterion is subjective but guarantees that at least 20 events for each phase of the project are available to infer GMPE coefficients and the best inter-event PDF.
With the aim of evaluating the prediction capabilities of the proposed technique, when inferring the GMPE, we do not consider
PGVs recorded at stations SGT03 and SGT09, which are located at different distance (about 11 km and 5 km, respectively) and azimuth with respect to the injection well location (
Figure 1). The
PGVs at these two selected stations are used to compare the observed data with the predictions of the computed seismic hazard analysis at different probability of exceedance.
As for the GMPE we use the following formulation:
where
PGV is in m/s,
M is the magnitude (corresponding to
ML here), R is the hypocentral distance in km. The GMPE is also associated with a logarithmic standard deviation σ
lnPGV corresponding to the total standard error, describing uncertainty in the value of ln
PGV given the predictive relationship. Original waveforms are band-pass filtered (using a 4-poles Butterworth filter) in the range 2–90 Hz. The
PGV correspond to the vector composition of the maximum value measured on the three components. The coefficients of the GMPE have been inferred by using the Levenberg–Marquardt least squares algorithm [
48].
Since for the first phase of the project the number of recorded events could not be enough, we consider two options: (i) using a GMPE obtained from previous studies in the zone (as close and similar as possible in terms of tectonic regime) where the project is going to be developed; (ii) using a GMPE inferred from similar projects but in different areas. For the present study we use as reference model the GMPE proposed by Douglas et al. [
49], which has been inferred by analyzing data recorded in several geothermal areas and spanning similar magnitude and distance ranges as those considered in our application. The corresponding equation is:
where
PGV is in m/s,
R is the hypocentral distance expressed in km,
is the magnitude, and the total standard error is σ
lnPGV = 1.863.
Thus, using data from the first phase of the project we infer the parameters of Equation (9) and test if the model can be used instead of the GMPE in Equation (10). We assume that the current GMPE model can be used if it passes a one-side F-test at 95% level of confidence, that is, if the updated model has a statistically significant lower variance with respect to the previous model (see
Table 1).
The
PGVs as function of the distance are depicted in
Figure 3 together with the GMPEs.
Table 1 contains the number of available
PGVs for the specific period, the inferred coefficients (together with the uncertainties), the total standard deviation, the F-value (i.e., the value of the statistic used in the F-test) and the corresponding probability. This latter is the probability of finding an F-value equal or larger than the one observed value in the assumption that the null hypothesis (Ho: No difference in variances between old and new model) is true. For each phase, we estimate the minimum magnitude of completeness (Mc) by using the maximum curvature approach [
50]. The results are listed in
Table 2.
The
b-value is computed by using the maximum likelihood formulation [
51] and the associated uncertainty by using the Shi and Bolt [
52] approach (see
Table 2). The maximum magnitude to be use in the hazard integral is computed by using Equation (4) by selecting 90% as the probability of not being exceeded and arbitrarily setting
= 5.0. This is in accordance with the observation that two historic earthquakes of Mw ≥ 4.0 have been reported in the seismogenic volume considered in the present study e.g., [
53]. The resulting
values for each phase are listed in
Table 2. For two specific cases, for which the total injected volume is known, they are compared with the value obtained by using the approach proposed by McGarr [
15]. In particular, we compute the maximum scalar seismic moment using the equation
= G∆V where ∆V is the injected volume in m
3 and G = 3e+10 Pa is the shear modulus. Next, we convert the seismic moment in moment magnitude using the Hanks and Kanamori [
54] relationship. The results suggest that the McGarr [
15] approach provides maximum magnitude values that are lower than the actual observed value corresponding to 3.5.
As for the inter-arrival time distribution, we aim at identifying the best recurrence model on the basis of the ongoing evolution of the seismicity. For each phase of the project, we test the Poisson model, the Brownian Passage Time model [
42], the Weibull PDF, and the gamma PDF. The best model is identified by using the Kolmogorov-Smirnov test and is listed in
Table 2. Once the best PDF has been obtained, following Petersen et al. [
42] we compute the equivalent annual rate
r = −ln(1 −
P)/
t, where
P (see Equation (5)) is the time-dependent probability of interest in the selected exposure time
t that can be used in the hazard integral.
Figure 4 shows the fit of the inter-arrival times for phase 2 and phase 5 (see
Table 1 for the specific time periods).
As for the ETAS model, using Equation (7) we compute the expected daily rate of events having magnitude greater than the cut-off magnitude
Mct = −0.5, which corresponds to the mean magnitude of completeness of the six phases of the project (
Table 2), in the period starting from first forecast interval: 2013-07-20–6:00 A.M.–2013-07-21 6:00 A.M. (24 h) to the last forecast: 2013-10-22–6:00 A.M.–2013-10-23 6:00 A.M. (24 h). The results are shown in
Figure 5 and indicate that the forecast capability of the model increases with time, that is, with the increasing number of recorded earthquakes. In addition to the temporal comparison, we also compare observed and predicted spatial distribution of the seismicity. In
Figure 6, for three forecasting periods, we report the maps at 98% confidence interval for the number of earthquakes per cell units (latitude/longitude cells of a 0.001°× 0.001°) with
ML ≥
Mct = −0.5, for 24 h forecasting intervals.
Figure 6 depicts the seismic events of interest that occurred in the corresponding forecasting interval [
Tstart,
Tend], shown as colored squares and dots (distinguished by their magnitudes). The results in
Figure 6 indicate that the ETAS model captures properly the spatial distribution of seismic events taken place in the forecasting time interval. Inside each sub-figure of
Figure 6, the observed (shown as a green star) vs. forecasted number of events (shown in an error-bar format) is illustrated for events with
M ≥
Mct = −0.5 for the entire zone of seismic activities. It is to note that to retrospectively perform robust seismicity forecasting within the seismic sequence, we set
Mct = −0.50 to be consistent with
Table 2. However, this assignment has been verified based on the two procedures adopted for evaluating the completeness magnitude within a seismic sequence in the Electronic Supplementary Information in Ebrahimian and Jalayer [
46].
The error-bar for the forecasted number of events features: the median value (the 50th percentile, equivalent of the logarithmic mean in the arithmetic scale) marked with a grey-filled square; the (logarithmic) mean plus/minus one (logarithmic) standard deviation indicating the interval between 16th and 84th percentiles (marked with blue horizontal lines and numbered in blue); the (logarithmic) mean plus/minus two (logarithmic) standard deviations indicating the interval between 2nd and 98th percentiles (marked with black horizontal lines and numbered in red). This is done to help in locating the observed number of events (marked and numbered in green) within plus or minus certain number of standard deviations from the mean estimate. It can be seen that observed number of events is captured properly with respect to plus/minus two standard deviation of the mean estimate.
We compute seismic hazard, expressed as
PGV corresponding to given probability of exceedance levels at two selected stations SGT03 and SGT09 (see
Figure 1). We considered three probability of exceedance levels: 10%, 20% and 50% and three exposure periods 15 days, 1 month and 2 months compatible with the duration of the project. We compare the results obtained by using the standard Poisson model, the model inferred for each phase, and the ETAS model. As for ETAS, in order to be consistent with the selected exposure times, we use the mean daily forecasted seismicity to compute the monthly rate. The recorded
PGVs as function of the time at the two selected stations are shown in
Figure 7,
Figure 8 and
Figure 9 for exposure times of 15 days, 1 month and 2 months, respectively. The figures demonstrate that in some of the considered periods the recorded values tend to 5 mm/s for which damage to ordinary buildings is deemed possible [
55]. The
PGV values obtained from the hazard analysis together with the associated probability of exceedance are shown as horizontal lines.
The results indicate that using a time-dependent model provides a more robust control on the expected PGV values. In particular, the use of the Weibull PDF and the BPT PDF, together with updated GMPEs provide predictions closer to the observed PGV values. Contrarily, the PGV values estimated by using the Poisson model seems to overestimate the observed PGV values leading to overpredict the associated hazard.
As for the time independent analysis, the ETAS model performs better than the Poisson model at station SGT09 and provides hazard estimates close—and even better in the second period—to the Weibull model and BPT model. On the other hand, for the station STG03, which is located at a larger distance with respect to SGT09, ETAS provides an overestimation of the hazard. This is probably indicating that the distance kernel used for predicting the spatio-temporal clustering of aftershocks (characterized by two parameters d and q in Equation (8)) is not steep enough for induced seismicity. This aspect has to be further investigated by testing other function forms as the distance kernel.
4. Conclusions
We present a technique aimed at modifying the standard probabilistic seismic hazard analysis when applied to induced seismicity. In particular, concerning the probability density function of distance
fR(
r), we use the hypocentral distance as distance metric and use a volume seismogenic source whose shape is modified according to the current seismicity spatial distribution, instead of a seismogenic source area. Moreover, we propose a technique for estimating the expected maximum magnitude value, which use the current probability density function on magnitude, that is, the Gutenberg-Richter relation and prior information about long-term seismicity. However, the most relevant modifications are two. The first one concerns the idea of updating the ground motion prediction equation during the distinct phases of the project while new and more robust
PGVs data are recorded. The second is to test whether non-Poisson models, which assumes that successively occurring events are not causally related to each other, provides a better fit of the observed inter-arrival times distribution with respect to the Poisson model used in the standard PSHA. This is indeed a critical point when dealing with induced seismicity e.g., [
5,
7,
8,
11]. For the application presented in this study and concerning the St Gallen geothermal project in Switzerland, in addition to the Poisson model, we test Weibull PDF, gamma PDF, and BPT model. The use of the Kolmogorov-Smirnov test indicates that, in most of the phases of the project, the inter-arrival times distribution is not exponential, that is, the recurrence model is not Poisson. Moreover, we implement a robust framework by employing ETAS seismicity model [
46,
47] that allows to forecast both the temporal and spatial seismicity distribution. The capability of forecasting the spatial distribution of the seismicity could be used as complementary study to the diffusivity analyses to understand if the events are migrating from the well injection toward known faults.
A critical point for the application of the proposed technique is represented by the choice of the time-window to select the seismicity to use for seismic hazard analysis. Indeed, it cannot be set a-priori but must be decided according to the evolution of the induced seismicity.
The results of the probabilistic seismic hazard analysis for two specific sites indicates that the predicted PGVs at the selected probability of exceedance when the Poisson model is used are always larger than the observed values. On the other hand, the use of the Weibull model provides predicted PGV values closer to the actual observed values. We observe that the ETAS model predictions of the seismic hazard (based on a non-homogenous Poisson rate) are generally closer to the recorded PGV values with respect to the time-invariant model.
The advantage of the proposed approach relies on the fact that the models used to fit the inter-arrival times distribution are characterized by few (one or two) parameters that can be fitted also in near real-time each time a reliable catalogue of events is available.